Wholesale banking Operations - Gurgaon

Wholesale banking Operations - Gurgaon

1 Nos.
127195
Full Time
6.0 Year(s) To 12.0 Year(s)
7.00 LPA TO 13.00 LPA
BFSI, Investments & Trading
Banking/Financial Services
Job Description:

The ideal candidate will be responsible for verifying legal documentation, maintaining operational records, and ensuring compliance with internal and regulatory standards. This role demands strong attention to detail, excellent communication skills, and the ability to manage multiple tasks efficiently. The candidate will be involved in end-to-end documentation verification, collateral and limit maintenance, insurance policy coordination, and post-disbursement tracking. The role also includes liaison with auditors, MIS reporting, and coordination with various internal teams for seamless operational execution.

 

  • Verification of executed legal documents as per Documentation Grid released by the legal team from time to time & Sanction Letter / Term Sheet issued by the business / credit team.
  • Stamp Duty as per Legal Stamp Duty Grid is adhered too.
  • Limits & Collateral Maintenance.
  • CERSAI Maintenance. (Charge Creation & Release) Checker for Mortgage, Hypothecation & Intangible assets - basis terms of sanctions.
  • Updating of PSL for CCOD product basis the PSL template received from business along with TS / SL.
  • Insurance Policy Maintenance (basis terms of Sanction) - information to centralized insurance policy maintenance desk.
  • Preparation and releasing the Disbursement Advice to Loan Maintenance Team for disbursement of loans in LPS. (Wherever there is a term loan / WCDL facility at the time of limit setting), Limit loading Instructions (LLI) to Treasury team for treasury products & CMS team for CMS products.
  • Insertions (documents received post disbursement).
  • Deferral Closures (post receipt of requisite document from Business Unit against deferral obtained).
  • Tracking of post disbursement conditions related to Wholesale & Commercial operations in DRS as “pre-approved”.
  • Handover of Files (All documents except Title Deeds) & Dockets (Title Deeds – Property wise i.e. for every property mortgaged separate docket is a must) including insertions to DMT for further action & receipt of acknowledgement in ET / Register (in case of non-ET transactions, if any).
  • Handover of PDC / SPDC’s to the Vendor on a weekly basis & receive acknowledgement.
  • Liaison with Auditors & Ensure no audit queries. MIS (Daily Reporting, Pending Status, Insertions).
  • Confirmation to DMT for Release of property & verification of the property documents before releasing to customer / RM / customer service.
  • Signatories for issuance of sanction letter are in accordance to the list of signatories provided by Business & Credit
  • Qualification – Graduate / Post-Graduate
Company Profile

Is an Indian ---ing and financial services company headquartered in Mumbai. It offers ---ing products and financial services for corporate and retail customers in the areas of personal finance, investment ---ing, life insurance, and wealth management.

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